
Zentiva is a Pan-European Generic Pharmaceutical Group selling in over 40 markets and with 4 manufacturing sites. The Group generates revenues of approximately €1.3 bn. Zentiva Group with consistent growth on top and bottom line in recent years. Zentiva Group places great importance on its cash generation. Meeting the company’s cash targets will allow the company to invest further in future growth and our purpose of bringing more high quality, affordable medicines to patients who need them.
We are looking for a Treasury Manager to strengthen our Group Treasury team at Zentiva, with a focus on financial risk management, FX and interest rate exposure, insurance programs and working capital financing structures.
In this role, you will act as the subject matter expert for market, risk, and financing-related topics, ensuring optimization of financial exposures and selected treasury financing solutions, while supporting operational banking activities.
Key responsibilities
Ideal candidate
Diversity is a fact. Inclusion is an act @Zentiva
At Zentiva, we are a team of almost 5,000 unique talents bonded together by our mission to deliver high quality medicine to people whose lives depend on it. We strive daily to create a work culture where everyone feels appreciated, can be their true selves, and contribute to the best of their ability. Seeking for a balanced team across the company, we welcome applications from all qualified candidates with various educational and industry experiences, cultural or ethnical backgrounds, and different life experiences or abilities, regardless of their religious or philosophical beliefs or whomever they choose to love.
Join our winning team! Be a part of our winning culture! Be Zentiva!